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Finance Business Partner

Closing: May 16, 2024

This position has expired

Published: Apr 29, 2024 (18 days ago)

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Job Summary

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Requirements

  • B.Sc.in Finance, Accountingor anyrelated fields from a reputable institution
  • Minimum of 6years of relevant experience as a Finance Business Partner in a structured environment
  • Professional certification/membership in Accounting is a must-have
  • A good combination of accounting principles and finance skills
  • Knowledge of finance, accounting, budgeting, and cost control principles including Generally Accepted Accounting Principles
  • Proficiency in Microsoft Office suite most especially Advanced Excel, PowerBI Tableau,SQL, etc.
  • Knowledge of federal and state financial regulations
  • Ability to analyze data and prepare financial reports, statements, and projections
Responsibilities

Requirements

  • B.Sc.in Finance, Accountingor anyrelated fields from a reputable institution
  • Minimum of 6years of relevant experience as a Finance Business Partner in a structured environment
  • Professional certification/membership in Accounting is a must-have
  • A good combination of accounting principles and finance skills
  • Knowledge of finance, accounting, budgeting, and cost control principles including Generally Accepted Accounting Principles
  • Proficiency in Microsoft Office suite most especially Advanced Excel, PowerBI Tableau,SQL, etc.
  • Knowledge of federal and state financial regulations
  • Ability to analyze data and prepare financial reports, statements, and projections
  • Providing analysis and delivering insight that links financial reports to business strategies
  • Apply principles of accounting to analyze financial information and prepare financial reports by compiling information, preparing profit and loss statements, and utilizing appropriate accounting control procedures.
  • Providing effective commercial procedures, or initiating change, to ensure key operational, commercial, and financial targets are delivered
  • Prepare monthly, quarterly, and annual financial reports and analysis of results with observations and recommendations to management on cash flow, profitability, financial position, etc.
  • Ensure that Reconciliation of all bank accounts indicating the elements of Interest on Loan/Overdraft and other bank charges are up to date.
  • Presentfinancial performance, full-year forecasts, and budget variances including understanding financial opportunities and risk
  • Oversee the administration of the company’s tax payment system, including the compilation and remittance of Staff PAYE tax, deducted, Staff pension contribution, VAT collected, and withholding tax deducted
  • PrepareMonthly and Half-yearly Cash Flow projection
  • Maintenance of Accounts Payables and payments of vendors and other suppliers of goods and services
  • Identify and ensure full coverage of all employees in the scorecard and monthly performance dashboard preparation
  • Responsible for the financial transactions and reporting on the company’s projects.

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